Finance English
Analysis

波动率聚集 是什么?

波动率聚集 The empirical tendency for large changes in financial markets to be followed by further large changes, and small changes by small changes, indicating persistence in volatility.

Source: CFA Institute, IFRS Foundation, FASB (GAAP), Basel III Framework

How is “波动率聚集” Used in Practice?

波动率聚集是金融计量经济学中的基本观察,支持在风险评估中使用GARCH模型。

Certification Exam Relevance

CFAACCAFRM

Who Needs to Know This Term?

  • Financial Analysts
  • Bankers
  • Traders

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Frequently Asked Questions

波动率聚集 是什么?

The empirical tendency for large changes in financial markets to be followed by further large changes, and small changes by small changes, indicating persistence in volatility.

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